Recent Annual Filings for CVR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $23,370,174 $26,986,627 $32,150,681 $-5,615,614 $-153,451 $-318,823 $535,604
2023 $27,830,905 $31,507,722 $37,344,968 $-4,401,584 $-1,931,636 $-618,325 $-2,658,026
2022 $33,626,127 $33,646,033 $30,084,837 $2,867,629 $-1,264,954 $-850,196 $2,008,147
2021 $31,766,258 $33,974,558 $32,615,643 $1,113,472 $-1,009,483 $-850,196 $-530,777
2020 $31,238,071 $27,590,653 $27,673,667 $50,450 $623,801 $-502,388 $1,138,277
2019 $31,723,376 $32,873,002 $32,381,418 $538,314 $3,171,531 $-1,140,036 $722,581
2018 $33,246,625 $37,174,249 $34,771,601 $2,001,185 $1,880,407 $-1,101,391 $-445,696
2017 $31,816,302 $35,764,714 $33,399,533 $2,079,082 $2,993,434 $-1,111,052 $799,094